Which scenarios can you implement using SAP Analytics Cloud advanced formulas? Note: There are 2 correct answers to this question.
When importing transaction data from SAP Business Warehouse to SAP Analytics Cloud, what is the maximum?
Which of the following actions on the date dimension are available in Value Driver Trees? Note: There are 2 correct answers to this question.
What are some characteristics of popups in analytic applications? Note: There are 2 correct answer to this question
You are using SAP Analytics Cloud and SAP BPC, version for SAP BW/4HANA Embedded option. Which of the following planning features are available for hybrid planning? Note: There are 2 correct answers to this question.
When you import group reporting data from SAP S/4HANA to anSAP Analytics Cloud planning model, which mappings are required? Note: There are 2 correct answers to this question.
□ Company to an SAP Analytics Cloud entity
>/ □ Financial statement item to an SAP Analytics Cloud account
□ General ledger account to an SAP Analytics Cloud account
V D Consolidation unit to an SAP Analytics Cloud entity
You are importing from SAP S/4HANA into a planning model with pre-converted actuals turned on. What mappings are required to import both local and default currency?
Which of the following are features of an Embedded Data Action step? Note: There are 2 correct answers to this question
What master data can you update during the import of transaction data into an SAP Analytics Cloud planning model with private and public dimensions?
You have a planning model with the following dimensions; Account, Product, Profit Center, Date, and Version. In a story, which new master data can you add on the fly? Note: There are 2 correct answers to this question.
You are importing account hierarchy data from S/4HANA. To import the member to node assignments, what node type must you use?
Regarding comments, what can you do in analytical applications but not in stories? Note: There are 2 correct answers to this question
You have a planning model with the following dimensions; Cost Center, Account, Date, Entity, Version. When you add new transactional data to your model, you want to overwrite any records with cost center A and add new data for cost center B. Which import method do you use?
Your account dimension has an account for Profit that is calculated as [Revenue] - [Cost]. Which formula can you use to enter a value for Profit and have the system re-calculate Cost while Revenue remains constant?
You have a New Model that only contains local currency values. When the New Model is used in stories, you need model-configured group currency values that are not stored in the database. What type of measure would you include in the New Model to meet the requirement?